Alternative Fund Insight
Ep 32 - Mark Dowding, Bluebay fixed-income CIO, on how the political informs the macroeconomic in 2025
05 Feb 2025
Political turbulence and macroeconomic volatility make it a great environment for active fixed-income investors, says Mark Dowding, CIO of RBC BlueBay's $130bn fixed-income unit. Joining episode 32 of the AFI podcast, Dowding explains why relative value investing is well suited to the volatility and dissects the implications of Trump's second term for markets and macroeconomics.It is a fascinating insight into his trading approach, particularly how political research informs his trades, and outlook across different asset classes in 2025, more than three decades after he started his career in 1993. See topics and listen links below.See show notes and bios below.Discover the 25 most influential global hedge fund allocators: https://alternativefundinsight.com/power25-hedge-fund-allocator-ranking-2024/You can subscribe to the AFI podcast on iTunes, Apple Podcasts, Spotify or any other podcast app. All feedback welcome! If you enjoyed this or other episodes please subscribe, leave a rating and review.Contact Will: [email protected] Visit the AFI website: www.alternativefundinsight.com.Follow the latest developments via our LinkedIn page: www.linkedin.com/company/alternative-fund-insightSign up to free AFI bulletins: https://alternativefundinsight.com/newsletter-sign-up/Get a 360-degree insights and research into hedge funds and multi-strategy with AFI membership. Group discounts available for corporates: https://alternativefundinsight.com/membership-options/ Ask Will or email [email protected] for more details.Release date: 5 February 2025 (recorded on 23 January 2025)1:45 - Introduction to Dowding's role as CIO at $130bn fixed-income unit. Global macro background, started career in 1993.3:48 - MD's big-picture view, starting with strength of US economy. Fed rates on hold for time being. Views on inflation, dollar. FX creating more opportunity than rates.7:46 - Trump volatility leading to opportunity. Maradona analogy.10:12 - Do investors now understand Trump behaviour more now, which will help trading decisions.11:50 - Thoughts on tariff agenda and possible inflationary impact. FX changes bearing brunt.15:37 - How political meetings inform the approach. His certainty from US visits prior to election that Trump would win.19:40 - Thoughts on Europe and UK. 26:54 - Relative value opportunities increasing amid the volatility. Thoughts on Japan.29:00 - Thoughts on asset allocation trends.33:50 - Thoughts on multi-strategy fees.36:50 - Alpha on offer from active fixed-income. Passive approaches leaving alpha on the table.*Not investment advice. Past performance is no guarantee of future returns* Hosted on Acast. See acast.com/privacy for more information.
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